Prudential Premier Retirement Variable Annuities
Prudential Premier Retirement Variable Annuities
Prudential Premier Retirement Variable Annuities
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Sub-Accounts<br />
Accumulation<br />
Unit Value at<br />
Beginning of Period<br />
Accumulation<br />
Unit Value at<br />
End of Period<br />
Number of<br />
Accumulation<br />
Units Outstanding at<br />
End of Period<br />
AST Schroders Multi-Asset World Strategies Portfolio<br />
03/15/2010 to 12/31/2010 $9.98117 $10.65078 56,983<br />
01/01/2011 to 12/31/2011 $10.65078 $9.95693 55,318<br />
AST Small-Cap Growth Portfolio<br />
03/15/2010 to 12/31/2010 $9.95967 $12.48393 57,911<br />
01/01/2011 to 12/31/2011 $12.48393 $11.96054 13,558<br />
AST Small-Cap Value Portfolio<br />
03/15/2010 to 12/31/2010 $9.96310 $11.34575 33,429<br />
01/01/2011 to 12/31/2011 $11.34575 $10.32143 8,067<br />
AST T. Rowe Price Asset Allocation Portfolio<br />
03/15/2010 to 12/31/2010 $9.99098 $10.57983 150,188<br />
01/01/2011 to 12/31/2011 $10.57983 $10.43968 82,958<br />
AST T. Rowe Price Equity Income Portfolio<br />
formerly, AST AllianceBernstein Core Value Portfolio<br />
03/15/2010 to 12/31/2010 $9.98463 $10.42678 1,049<br />
01/01/2011 to 12/31/2011 $10.42678 $9.92304 396<br />
AST T. Rowe Price Global Bond Portfolio<br />
03/15/2010 to 12/31/2010 $9.97897 $10.20242 946<br />
01/01/2011 to 12/31/2011 $10.20242 $10.27861 8,726<br />
AST T. Rowe Price Large-Cap Growth Portfolio<br />
03/15/2010 to 12/31/2010 $9.96986 $11.01931 8,318<br />
01/01/2011 to 12/31/2011 $11.01931 $10.48112 2,700<br />
AST T. Rowe Price Natural Resources Portfolio<br />
03/15/2010 to 12/31/2010 $9.85854 $11.35536 14,109<br />
01/01/2011 to 12/31/2011 $11.35536 $9.34768 6,503<br />
AST Wellington Management Hedged Equity Portfolio<br />
formerly, AST Aggressive Asset Allocation Portfolio<br />
05/02/2011* to 12/31/2011 $9.99728 $8.74046 939<br />
AST Western Asset Core Plus Bond Portfolio<br />
03/15/2010 to 12/31/2010 $9.99728 $10.29052 18,664<br />
01/01/2011 to 12/31/2011 $10.29052 $10.55671 18,479<br />
Franklin Templeton VIP Founding Funds Allocation Fund<br />
03/15/2010 to 12/31/2010 $9.96981 $10.52821 310,853<br />
01/01/2011 to 12/31/2011 $10.52821 $10.01633 139,694<br />
* Denotes the start date of these sub-accounts<br />
Sub-Accounts<br />
PREMIER RETIREMENT B SERIES<br />
Pruco Life Insurance Company<br />
Prospectus<br />
ACCUMULATION UNIT VALUES: Basic Death Benefit Only (1.30%)<br />
Accumulation<br />
Unit Value at<br />
Beginning of Period<br />
Accumulation<br />
Unit Value at<br />
End of Period<br />
Number of<br />
Accumulation<br />
Units Outstanding at<br />
End of Period<br />
AST Academic Strategies Asset Allocation Portfolio<br />
03/15/2010 to 12/31/2010 $9.96822 $10.85224 26,061,580<br />
01/01/2011 to 12/31/2011 $10.85224 $10.42656 42,594,262<br />
AST Advanced Strategies Portfolio<br />
03/15/2010 to 12/31/2010 $9.97890 $10.95858 23,763,450<br />
01/01/2011 to 12/31/2011 $10.95858 $10.82832 47,458,243<br />
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